Last Updated:

Oriental Structural Engineers Private Limited loan details

Charges taken from banks & financial institutes
Amount in (₹)

Charges Breakdown by Lending Institutions

  • Others : 2806.72 Cr
  • Canara Bank : 2082.50 Cr
  • Sbicap Trustee Company Limited : 930.00 Cr
  • Idbi Trusteeship Services Limited : 598.83 Cr
  • Hdfc Bank Limited : 84.37 Cr
  • Others : 123.11 Cr

₹ 6,625.53 crore

₹ 15,955.04 crore

33

Others

Satisfaction

11 Nov 2025

₹ 337.80 cr

Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
100216513 View Details Others 337.80 14 Sep 2018 19 Sep 2022 11 Nov 2025 Satisfied 3378000000.0
Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
1006385483 Others ****** 01 Jun 2022 17 Aug 2022 20 Mar 2024 Satisfied
1006385483 Others ****** 01 Jun 2022 17 Aug 2022 20 Mar 2024 Satisfied
1006385483 Others ****** 01 Jun 2022 17 Aug 2022 20 Mar 2024 Satisfied
1006385483 Others ****** 01 Jun 2022 17 Aug 2022 20 Mar 2024 Satisfied
100203907 View Details Others 31.47 16 Aug 2018 - 30 Oct 2025 Satisfied 314700000.0
100198096 View Details Others 30.00 29 May 2018 - 30 Oct 2025 Satisfied 300000000.0
100182288 View Details Others 50.00 15 Apr 2018 - 30 Oct 2025 Satisfied 500000000.0
100116544 View Details Others 25.00 15 Jul 2017 - 30 Oct 2025 Satisfied 250000000.0
100135549 View Details Others 40.00 15 Apr 2017 - 30 Oct 2025 Satisfied 400000000.0
100056080 View Details Others 30.00 20 Jul 2016 - 30 Oct 2025 Satisfied 300000000.0
100034400 View Details Others 4.00 23 May 2016 - 30 Oct 2025 Satisfied 40000000.0
10401183 View Details Srei Equipment Finance Private Limited 0.50 08 Jan 2013 - 30 Oct 2025 Satisfied 5000000.0
10215913 View Details Srei Equipment Finance Private Limited 0.89 01 Mar 2010 - 30 Oct 2025 Satisfied 8860000.0